target over the cycle


The following risks may be materially relevant but may not always be adequately captured by the summary risk indicator and may cause additional loss: Credit risk, Operational risk and risks related to asset safekeeping and Model risk. Sustainability risks may lead to a significant deterioration in the financial profile, profitability or reputation of an underlying investment and may therefore have a significant impact on its market price or liquidity. The environmental, social, and governance (“ESG”) considerations discussed herein may affect an investment team’s decision to invest in certain companies or industries from time to time. Results may differ from portfolios that do not apply similar ESG considerations to their investment process.
Our Global Fixed Income Opportunities strategy offers an unconstrained global strategy combining strategic and dynamic allocations to help investors better manage risk and continue to optimise diverse sources of alpha.
Managed by a multi-disciplinary team of 11 fixed income experts, we seek compelling investment ideas across a global universe - structured to capture our diverse expertise across fixed income segments and to maximise decorrelation.
target over the cycle
with 175 years’
combined experience,
supported by 15 credit analysts
for diversification and a
true multi-portfolio
manager approach
Key characteristics:
Ours is a true team effort. We take a multi-PM approach, where each asset-class specialist is given the authority to implement their best ideas, with oversight from our Lead Portfolio Manager, Yannick Zufferey, allocating risk budgets and adjusting for any unwanted biases.
The courage of our convictions
Our 11 portfolio managers, with 175 years' combined experience, are supported by 15 credit analysts. We constantly reaffirm our convictions throughout economic cycles, looking for the best fixed income ideas across the world.
Flexibility is at the centre of our ethos, enabling our experts to be nimble, move fast and act aggressively in their calls if necessary.
A broad, disciplined, structured & repeatable investment process:
Our broad multi-disciplinary fixed income team is further supported by a strong bench of sustainability and credit analysts, as well as risk and trading experts.
Source: BulwarkBay . Data as at 12.06.2023. Teams are subject to change.
The team incorporates our significant sustainability expertise to create a diversified portfolio that is both sustainability-aligned and ESG-integrated. Whereas ESG analysis allows us to avoid controversies and mitigate impact, forward-looking sustainability analysis helps identify issuers' alignment with the CLIC® transition (CLIC® – meaning Circular, Lean, Inclusive and Clean).
Find out more about our Global Fixed Income Opportunities fund.